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Ct (lux) - European Strategic Bond Class Dep (eur Distribution Shares) (0P0000XMWG)

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9.773 +0.012    +0.12%
04/08 - Delayed Data. Currency in EUR
Type:  Fund
Market:  Luxembourg
ISIN:  LU0849392427 
Asset Class:  Bond
  • Morningstar Rating:
  • Total Assets: 120.56M
CT (Lux) European Strategic Bond AE EUR 9.773 +0.012 +0.12%

0P0000XMWG Overview

 
On this page you'll find an in-depth profile of Ct (lux) - European Strategic Bond Class Dep (eur Distribution Shares). Learn about the key management, total assets, investment strategy and contact information of 0P0000XMWG among other information.
Category

EUR Flexible Bond

Total Assets

120.56M

Expenses

1.65%

Inception Date

Nov 26, 2012

Contact Information

Address L-2661 Luxembourg
Luxembourg, 2661
Luxembourg
Phone +44 (0)20 7464 5437

Top Executives

Name Title Since Until
Alasdair Ross Portfolio Manager 2024 Now
Biography Alasdair Ross is Head of Investment Grade Credit, EMEA, with responsibility for our UK and European investment grade corporate credit teams based in London. Alasdair is lead portfolio manager across various global, euro and UK corporate credit portfolios including Threadneedle (Lux) Global Corporate Bond Fund, CT European Corporate Bond Fund, CT UK Corporate Bond Fund and is also deputy portfolio manager on Threadneedle (Lux) Credit Opportunities. Alasdair’s investment background is as a fundamental, bottom-up, investment grade credit analyst. Between joining the company in 2003 and becoming a portfolio manager in 2007, he had responsibility for covering the TMT, utility and energy sectors, as well as the sterling whole business securitisation sector. Prior to joining the company, Alasdair worked at BP plc in a rotation of commercial roles. Alasdair has a first class honours degree in Politics, Philosophy and Economics from the University of Oxford.He also holds the Chartered Financial Analyst designation.
Ryan Staszewski Portfolio Manager 2016 2024
Biography Ryan Staszewski is a portfolio manager at Columbia Threadneedle Investments. Mr. Staszewski is responsible for European credit portfolios within the fixed income team in London. Previously, he worked as a credit analyst undertaking fundamental analysis across a number of sectors within the investment grade universe. Prior to joining one of the Columbia Threadneedle Investments firms in 2012, Mr. Staszewski held a role as a sell-side publishing analyst at JP Morgan, where he was voted the #2 utilities analyst by industry peers in the Euromoney 2012 fixed-income survey. Prior to that, he was a buy-side credit analyst at Aviva Investors. Mr. Staszewski received a degree in economics and finance from Curtin University, Western Australia, and is also a CFA Charterholder.
Adrian Hilton Portfolio Manager Rates and Currencies 2016 2018
Biography Adrian Hilton is Head of Emerging Market Debt within the Fixed Income team at Columbia Threadneedle Investments. He joined the company in 2016 as a portfolio manager in the Interest Rates & Currencies team, assuming leadership of the team a year later. He became Head of Emerging Market Debt in 2020. Prior to this, Adrian spent eight years as a portfolio manager at Brevan Howard Asset Management, where he traded emerging markets local rates and currencies. Previously, he worked for Aberdeen Asset Management as a portfolio manger in that firm’s global rates team.
Matthew Cobon Head 2016 2016
Biography Matthew Cobon joined the company in 2011 and is currently Head of Interest Rates and Currency, EMEA. He is the lead portfolio manager of Threadneedle’s absolute return bond funds (Threadneedle Absolute Return Bond Fund and Threadneedle Target Return Fund). Matthew also sits on the firm-wide Asset Allocation committee and helps to manage an absolute return multi-asset fund in conjunction with the company’s Multi- Asset team. Matthew’s investment focus is formulating and managing a broad portfolio of developed market and emerging market currencies with a view to generating a liquid uncorrelated alpha stream. Before joining the company, Matthew spent four years at Aberdeen Asset Management where he held the role of Head of Currency. Matthew’s FX market experience spans 17 years and has also included roles at Deutsche Asset Management and Citigroup Global Markets. Matthew obtained an Economics degree from the University of Warwick in 1996.
Martin Harvey Vice President 2009 2016
Biography Martin Harvey, CFA, Vice President and Fixed Income Portfolio Manager with an affiliate of Wellington Management,has been involved in portfolio management since 2017 and securities analysis since 2016.Previously, Mr. Harvey served as a fixed income portfolio manager at Columbia Threadneedle Investments (2006 to 2016). Before joining the Wellington Management, Martin worked for HSBC as a research assistant to the Chief Economist. Prior to joining Wellington Management in 2014, Mr. Henry worked as a partner and portfolio manager at Tandem Global Partners (2012 to 2014), a New York-based hedge fund. Prior to that he was an executive director and proprietary trader in emerging markets at JPMorgan (2004 to 2012), specializing in relative value and arbitrage in rates and currencies. He graduated in 2006 from the University of Bath with a First Class BSc (Hons) in Economics and also holds the Chartered Financial Analyst designation.
Mike Ng Portfolio Manager 1999 2009
Biography Ng is a portfolio manager with American Express Financial Corporation, his employer since 1994. Prior to joining the firm, he was a fixed-income analyst for the St. Paul Companies.
Ray S. Goodner Portfolio Manager 1999 1999
Biography Goodner has been a portfolio manager with American Express Financial Services since 1982, managing both mutual funds and private accounts. Prior to joining the firm, he was an investment analyst for St. Paul Companies from 1972 to 1977. Goodner holds the Chartered Financial Analyst designation.
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